HomeMy WebLinkAboutItem No. 8.2 Investments FY19-20 OCSD
Investments
Investment Objectives
First
• Provide safety of principal
Second
• Provide sufficient liquidity
Third
• Earn a commensurate rate of return consistent with
the constraints imposed by the objectives listed above
OCSD has Two Major Portfolios
Long -Term and Short Term
Long-Ter
• Approximately $499 million
Compares to the ICE BAML 1-5 Year
Corporate Government Rated AAA — A Index
Short-Term
• Approximately $ 177 million
Compares to the 3-month T-Bill rate and operate with a
maximum maturity of one year
Long -Term Portfolio • Asset Allocation
Category Percent
US Treasury 31%
US Corporate 23%
Agency 23%
Supranational 9%
Asset Backed Sec 8%
Other 6%
Total 100%
Long -Term Portfolio — Performance
Average Market Yield
December 21, 2018 2 . 70%
Benchmark 2 . 69%
September 30, 2018 2 . 85%
Short-Term Portfolio - Asset Allocation
Category Percent
US Treasury 78%
Agency 6%
US Corporate 5%
Negotiable CDs 3%
Supranational 3%
Commercial Paper 3%
Money Market 2%
Total 100%
Short-Term Portfolio — Performance
Average Market Yield
December 21, 2018 2 .42%
Benchmark 2 . 37%
September 30, 2018 2 . 25%
Questions ?